TUGAS MATA KULIAH
STATISTIK INFRENSIAL
DOSEN PENGAMPU : EDY SURYAWARDANA, SE, MM
DISUSUN OLEH :
NAMA : BIMA TRI FEBRIANTO
NIM : B.111.19.0105
HARI/ JAM : RABU / 14.00 WIB
PENILAIAN PRAKTIKUM
3. Analisis Diskriptif Statistik Responden
3.1. jenis kelamin
Statistics
JENKEL
N Valid 94
Missing 3
Mean 1.48
Std. Error of Mean .052
Median 1.00
Mode 1
Std. Deviation .502
Variance .252
Skewness .087
Std. Error of .249
Skewness
Kurtosis -2.036
Std. Error of Kurtosis .493
Range 1
Minimum 1
Maximum 2
Sum 139
JENKEL
Cumulative
Frequency Percent Valid Percent Percent
Valid 1 49 50.5 52.1 52.1
2 45 46.4 47.9 100.0
Total 94 96.9 100.0
Missing System 3 3.1
Total 97 100.0
3.2. PENDIDIKAN
Statistics
PENDDKN
N Valid 94
Missing 3
Mean 3.27
Std. Error of Mean .111
Median 3.00
Mode 3
Std. Deviation 1.079
Variance 1.165
Skewness -.028
Std. Error of .249
Skewness
Kurtosis -.666
Std. Error of Kurtosis .493
Range 4
Minimum 1
Maximum 5
Sum 307
PENDDKN
Cumulative
Frequency Percent Valid Percent Percent
Valid 1 4 4.1 4.3 4.3
2 19 19.6 20.2 24.5
3 33 34.0 35.1 59.6
4 24 24.7 25.5 85.1
5 14 14.4 14.9 100.0
Total 94 96.9 100.0
Missing System 3 3.1
Total 97 100.0
4.2 Uji Validitas Data
Correlations
X1.1 X1.2 X1.3 X1.4 X1.5 X1
X1.1 Pearson 1 .677** .808** .923** .454** .912**
Correlation
Sig. (2-tailed) .000 .000 .000 .000 .000
N 94 94 94 94 94 94
X1.2 Pearson .677** 1 .622** .802** .349** .809**
Correlation
Sig. (2-tailed) .000 .000 .000 .001 .000
N 94 94 94 94 94 94
X1.3 Pearson .808** .622** 1 .880** .502** .902**
Correlation
Sig. (2-tailed) .000 .000 .000 .000 .000
N 94 94 94 94 94 94
X1.4 Pearson .923** .802** .880** 1 .452** .956**
Correlation
Sig. (2-tailed) .000 .000 .000 .000 .000
N 94 94 94 94 94 94
X1.5 Pearson .454** .349** .502** .452** 1 .657**
Correlation
Sig. (2-tailed) .000 .001 .000 .000 .000
N 94 94 94 94 94 94
X1 Pearson .912** .809** .902** .956** .657** 1
Correlation
Sig. (2-tailed) .000 .000 .000 .000 .000
N 94 94 94 94 94 94
**. Correlation is significant at the 0.01 level (2-tailed).
4.3.Uji Realibilitas
Reliability Statistics
Cronbach's
Alpha Based
on
Cronbach's Standardized
Alpha Items N of Items
.900 .902 5
4.4. Uji Asumsi Klasik
4.4.1. Uji Normalitas
One-Sample Kolmogorov-Smirnov Test
Unstandardiz
ed Residual
N 94
Normal Parametersa,b Mean .0000000
Std. Deviation .98898489
Most Extreme Absolute .047
Differences Positive .041
Negative -.047
Test Statistic .047
Asymp. Sig. (2-tailed) .200c,d
Monte Carlo Sig. (2- Sig. .981e
tailed) 99% Confidence Lower Bound .978
Interval Upper Bound .985
a. Test distribution is Normal.
b. Calculated from data.
c. Lilliefors Significance Correction.
d. This is a lower bound of the true significance.
e. Based on 10000 sampled tables with starting seed 2000000.
4.4.3. Uji Heteroskedastisitas => uji Glejser
Coefficientsa
Unstandardized Standardized
Coefficients Coefficients Collinearity Statistics
Model B Std. Error Beta t Sig. Tolerance VIF
1 (Constant) .135 1.434 .094 .925
X1 .256 .058 .417 4.406 .000 .302 3.308
X2 .121 .033 .223 3.693 .000 .743 1.346
X3 .263 .070 .379 3.733 .000 .263 3.805
X4 -.054 .039 -.075 -1.379 .171 .912 1.096
X5 .089 .066 .075 1.341 .183 .867 1.154
X6 -.129 .065 -.110 -1.987 .050 .889 1.124
a. Dependent Variable: Y1
4.4.4. Uji Multikolinearitas
Coefficientsa
Standardized Collinearity
Unstandardized Coefficients Coefficients Statistics
Tolera
Model B Std. Error Beta t Sig. nce VIF
1 (Constant) .135 1.434 .094 .925
X1 .256 .058 .417 4.406 .000 .302 3.308
X2 .121 .033 .223 3.693 .000 .743 1.346
X3 .263 .070 .379 3.733 .000 .263 3.805
X4 -.054 .039 -.075 -1.379 .171 .912 1.096
X5 .089 .066 .075 1.341 .183 .867 1.154
X6 -.129 .065 -.110 -1.987 .050 .889 1.124
a. Dependent Variable: Y1
4.4.5. Uji Regresi Linear Berganda
Coefficientsa
Unstandardized Standardized
Coefficients Coefficients Collinearity Statistics
Model B Std. Error Beta t Sig. Tolerance VIF
1 (Constant) .135 1.434 .094 .925
X1 .256 .058 .417 4.406 .000 .302 3.308
X2 .121 .033 .223 3.693 .000 .743 1.346
X3 .263 .070 .379 3.733 .000 .263 3.805
X4 -.054 .039 -.075 -1.379 .171 .912 1.096
X5 .089 .066 .075 1.341 .183 .867 1.154
X6 -.129 .065 -.110 -1.987 .050 .889 1.124
a. Dependent Variable: Y1
4.4.6. Uji Koefisien Determinasi (R2)
Model Summary
Adjusted R Std. Error of Durbin-
Model R R Square Square the Estimate Watson
a
1 .874 .764 .748 1.023 1.037
a. Predictors: (Constant), X6, X3, X5, X4, X2, X1
b. Dependent Variable: Y1
4.4.7 Uji t
t Sig.
.094 .925
4.406 .000
3.693 .000
3.733 .000
-1.379 .171
1.341 .183
-1.987 .050